Thursday, October 31, 2019

Small scale Project Essay Example | Topics and Well Written Essays - 2500 words

Small scale Project - Essay Example Many researchers have proposed the sole solution to be based on proper management of the students’ times regarding the attendance of their classes and taking their assignments promptly and accurately. It is not easy however to control the students’ behavior in a university context (Cierno, Kilpatrick, Resnick, Saunders, & Best, 1996) given the large number of students and the uncaring nature of most of the university lecturers. The entire process therefore lies in the students themselves to ensure that they uplift their performances by properly managing their time and events while at school. This research paper will examine and address the factors that are important to the University of East London undergraduates to help them to learn effectively on their courses. This research will be conducted by using two primary qualitative data searching methods namely; the use of questionnaires and interviews. An accurate sample size will be computed from the entire university pop ulation to act as a representation for the generalization of findings for accuracy purposes. Data analysis will be conducted both qualitatively and quantitatively to allow for generalization of the generated findings to the entire student population. Research methodology Sampling criteria The entire student population is too big to be studied in totality calling for the use of just a section of the population. However, accurate sample size has to be designed in order to clean the data of biases of time and personal preferences. In line with this, accurate sampling techniques will be employed in this research in order to come up with a more representative result from the findings. Yamane formula will be employed in coming up with the most convenient and representative sample size. The formula provides a confidence level of 95%, (Bell, 1995). The method of proportional allocation will be used to allocate samples to strata. This method ensures that the sizes of samples from different s trata are proportional to the size of the strata. From the Yamane formula, Where, n= sample size N= population size e=level of precision Using the formula above, a total of 40 students will be extracted from the total population to be included in the sample frame for this research. The 40 students will be acquired by stratifying the students according to their grades based on their current years of study. The samples will be selected from each stratum by using simple random sampling method. This will ensure that a proper criterion is followed in selecting the sample string for the entire population. According to Carter & Thomas, (1997), random sampling techniques help in eliminating personal and time biases hence the main idea behind its choice. The entire population which is to be studied in this research, all students from the University of East London is very big and cannot be reached adequately using the primary data collection methods that would be employed in th

Tuesday, October 29, 2019

Automation Assembly Parts Essay Example | Topics and Well Written Essays - 8000 words

Automation Assembly Parts - Essay Example QFD has evolved from being a tool for product and process design to being used for strategic planning systematically linking customer requirements with organisational functions and processes. A study has been proposed to review QFD practices and develop a mechanism for implementing QFD. The objective of the study is to review available literature on QFD, and develop a methodology for QFD implementation within an organisation. Published literature in journals, conferences, and case studies would be considered for the study. The development of a product includes several processes, and QFD enables an analysis of every process for satisfying customer requirements within the functional constraints of the organisation. The scope of this study is QFD in a manufacturing organisation. The report will include an understanding of best QFD practices and an illustration for implementing QFD. It is expected that the results of the study will reinforce the use of QFD as a quality management techniq ue, and help identify the ideal ways of implementing QFD in a manufacturing organisation. The assurance of quality in a manufacturing organisation does not only help satisfy customer requirements, but also cut costs and improve efficiency. A study has been proposed to study statistical tools that have been deployed in the manufacturing industry to assure quality. Statistical tools include testing of hypotheses, analysis of regression, control charts, process capability, and six sigma. The study will include review of published literature in journals, conferences, books and case studies to identify best practices involving the use of statistical tools in a manufacturing organisation. Statistical distributions have been used to characterize populations based on a sample. Hypothesis testing has been deployed to help distinguish between areas of concern. Experiments are designed to

Sunday, October 27, 2019

Nick Leeson’s strategy to earn trading profits on derivatives?

Nick Leeson’s strategy to earn trading profits on derivatives? Originally, trader Nick Leeson was supposed to be exploiting low-risk arbitrage opportunities that would leverage price differences in similar equity derivatives on the Singapore Money Exchange (SIMEX) and the Osaka Exchange. In fact, he made up a strategy to earn trading profits on derivatives where he would have to take much riskier positions by buying and selling different amounts of the contracts on the two exchanges or buying and selling contracts of different types. Leeson was speculating wildly and completely without authorization, in massive amounts on movements in the Japanese stock and bond markets. Leesons trading activities mainly involved three futures markets: Futures on the Japanese Nikkei 225 stock index, futures on 10-year Japanese Government bonds (JGB futures) and European futures. Leeson executed a trading strategy known as a straddle, with the objective of making a profit by selling put and call options on the same underlying financial instrument, in this case, the Nikkei 225 Index. Most of his trading was a bet on the volatility of the Tokyo stock and bond markets. In his futures positions, he was betting that the Tokyo stock market would rise and the bond market would fall. He was long Nikkei 225 futures, short Japanese government bond futures, and short both put and call options on the Nikkei Index. He was betting that the Nikkei index would rise, but he was wrong; instead it fell, causing him to lose $1.39 billion. A straddle will generally produce positive earnings when markets are stable but can result in large losses if markets are volatile. He planned his strategy taking into consideration the Japanese futures market as in Japan the margin is posted on a net basis for all costumers and if there are customers who are in short position, firm can take long position without any need to pay the call margin. He utilized this opportunity through his bogus error account 88888 and companies account 99002. What went wrong that caused his strategy to fail? Leesons strategy failed because he was taking into consideration that the market had experienced an extended bull run throughout the late 1980s and after that, it had fallen to half of its 1989 high. He thought that it had fallen enough and from now it would only go up, and he continued to bet that it would rise; but the Nikkei 225 index only kept falling. Leeson further increased the size of his open positions even as his losses increased due to volatility in the markets. He did nothing to hedge his position to lay off his potential losses if the markets did move the wrong way. In effect, Leeson was accepting unlimited liability. The second thing that was that he was relying on the bank interest rate; that it would decrease but eventually the exact opposite happened and the interest rate increased to a high. He thought if that the interest rates were low at the moment and if they were going to rise they would hurt him as more of the investors would move towards safe earning through the high interest rate returns, making the investment into market to reduce and hence to make himself on the safer side he invested into government bonds futures. Nick Leesons doubling strategy failed because he increased the size of his open positions even as his losses increased due to volatility in the markets and kept doubling his contracts whilst the Nikkei 225 continue to plummet following an earthquake in Japan. However, Leesons unauthorized trading positions suffered huge losses, and his operation unraveled. Moreover, interest rates did not rise as he expected which lead to further losses incurred on the Japanese government bond futures. He left the behind with huge liabilities totaling $1.4 billion, leading to the bankruptcy to the one of the oldest bank in Britain. Why did Nick Leeson establish a bogus error account (88888) when a legitimate account (99002) already existed? Nick Leeson established a bogus error account (88888) even when a legitimate account (99002) already existed, in order to conceal his unauthorized trading activities. Initially he claimed that he opened the error account (88888) to conceal a single loss of 20,000 pounds sterling that had resulted from an accounting error until he could make up the difference through trading. However, he continued booking various losses into the error account (88888) as a holding area for any premiums or losses that he made and also continued to increase his volume of trading and level of risk taking. It was a loophole he exploited to set up bogus accounts for non-existent clients to mask mounting debts. While the legitimate error account was known to Barings Securities in London, the bogus account was not. However, the bogus account was known to SIMEX as a customer account, not as an error account. In this way, Leeson could hide his balances and losses from London but not Singapore. One the other hand, SIMEX thought the bogus error account, 88888, was a legitimate customer account rather than a proprietary Barings account. The account enabled Leeson to take advantage of the rules of Japanese Futures market at that time. In Japan margin was posted on net basis for all customers. Therefore if many customers were short index futures, the firm could take long position without having to post cash margins. Why did Barings and its auditors not discover that the error account was used by Leeson for unauthorized trading? The reason why Barings and its auditors did not discover Leesons unauthorized trading and fraudulent activities was mostly a lack of internal checks and balances, and because Leeson was hiding in Barings organized chaos. Leeson was also given power due to his knowledge and there was no inquiry done into his trading just because he reported a profit to the company. Barings was impressed by Leesons achievements which lead them not to disclose to SIMEX that he infact had been disqualified from taking the UK traders exam (Broady, Roland, Woods, 2008). According to Ron Baker, the Head of Financial Products Group for Barings, There were no clearly laid down reporting lines with regard to Leeson, and in actual fact, there were several people responsible for keeping an eye on Leesons performance, but each one of them assumed that the other was watching closer than them, thus allowing Leeson several holes to get through. An internal auditor audited the Singapore office of Barings in 1994 and he reported that unauthorized trading could have happened because of the fundamental principle of the industry segregation of front and back office activities. The results were disclosed to the directors as well as some of the auditors recommendations, but the directors did not implement these recommendations (Collier Agyei-Ampomah, 2006). Moreover, Leesons actions could have been avoided if the Barings executives had done a comprehensive review of Leesons funding requirements, as well as set restrictions to what Leeson could or could not do. However, he also discovered that none of these changes to the internal structure had been implemented when the bank collapsed. One of the main reasons why Leeson was able to get away with so much was that there was no clear segregation of duties (Broady, Roland, Woods, 2008). The nature of the Japanese futures market at the time did not require exchanges to have a separation between the customer and the proprietary funds, which made it difficult to separate the funds and the position of the firm or customer. Leeson was left to be in control of everything that should have been checked by a superior or manager of some other department, which enabled him to track and modify the contents of his rogue account as he wished and keep his activities from being disclosed. Although the Director of BFS and the Finance Director of BSS, Simon Jones, pledged to the public that he would attend to the issue of segregation, he never actually took any action to separate Leesons front and back office doings. The Bank of England made a report on the matter and according to the report, the London senior management actually considered Jones to be an inadequate communicator, and were concerned with the fact that he was not as involved as he should have been in the affairs of BFS. Furthermore, the Bank of London also criticized the process of Leesons funding. Firstly, credit checks should have been performed on the large amounts of funds changing hands, but this was not performed either. Secondly, Bank of London discovered that there was no clear record of whether the funds reported were needed for its clients, or for its own accounts. This made reconciliation virtually impossible. The trading account was also not shown on any files or statements transmitted from Singapore to London, and thus auditors could not find any existence of the error account. Moreover, SIMEX categorized the 88888 account as a customer account rather than an error account. Internally, Barings had raised issues about having proper reconciliation in 1992. The risk manager of Londons branch, Gordon Bowser, had strongly recommended a development of a solid reconciliation process. However, Bowser left two others (Simon Jones and Tony Dickel) who had internal conflict over Leeson, to decide on the matter of reconciliation procedures, there was no solid arrangement between the two and Leeson was left to create the procedures for himself, allowing him to dictate the way he managed things. The loss of reconciliation meant that auditors could not trace the nature of these funds and thus they were unable to uncover the error account that Leeson used for his tradings. Over the years, there were several cases of internal conflict which was beneficial to Leesons stealthy activities. A particular example of this was in 1995, where SIMEX became apprehensive about the ability of Barings to meet its large margins in Leesons error account. SIMEX addressed a letter to Simon Jones, with the letter noting that a further $100 million should have been in account 88888. Instead of addressing the matter himself directly, Jones passed the letter to Leeson for Leeson to draft a response on his own. Lastly, when Leesons activities were finally being caught on by SIMEX, but they had not managed to find out exactly what was happening, SIMEX posted another letter to the Singapore branch, expressing doubts about Barings ability to fun margin calls. The letter was then referred back to London and from there; SIMEX was assured that opposite positions were being held in Japan. However, the truth was no opposite positions were being held and SIMEX officials made no follow-up checks with Osakas Stock Exchange to authenticate the claims. Why did none of the regulatory authorities in Singapore, Japan, and the United Kingdom not discover the true use of the error account? None of the regulatory bodies of Singapore, Japan on the UK discovered the true use of Leesons error account because firstly, it was visible to them only as a customer account, and SIMEX had also granted an exemption on the number of contracts that Barings could hold with the presumption that Barings was hedging and not speculating. This is in fact due to Barings conservative firm reputation, which lulled exchange and clearing houses into a false sense of security. Additionally, Barings speculative position was hidden with the use of an omnibus account and with this account, the brokers customers identities could successfully be hidden from the exchange and clearing houses. A number of happenings in the UK also allowed Leeson to hide and manage his activities easier. At that time, the Bank of England had a rule known as the Large Exposure Rule which stated that a bank is unable to lend more than 25% of its capital to any single entity. Barings made a request to Bank of London for an exception and argued that one exchange should not be classified as one entity. The supervisor in charge of Barings activities recognized the argument and the request and promised to review it and in the meantime, he offered Barings an informal concession for Japan, which Barings extended to Singapore and Hong Kong. On the matter of the Large Exposure Rule, the supervisor failed to respond until one whole year later, and his answer was that there were no exceptions to be made and the positions taken under the informal concession should be unwound. By that time, the damage had already been done. The Bank of England also found that following the consolidation of Baring Securities Ltd and Baring Brothers and Co., it allowed the two to be categorized as one entity for capital adequacy and large exposure purposes, but the process of this consolidation was too informal and the results of it played a part in Leesons unauthorized activities. This not only meant that Leeson could hide his activities, but also the fact that he had access to a much larger pool of capital. Why was Barings Bank willing to transfer large cash sums to Barings Futures Singapore? Barings Bank believed that the large cash sums transferred to Barings Futures Singapore was for loans to customers as portrayed on the Barings Futures Singapore balance sheet. The key aspect of Japanese Future market was that exchange did not require a separation between customer and propriety funds. Therefore it was impossible to distinguish between the firms and the customers position. Why did the attempt by the Bank of England to organize a bailout for Barings fail? Throughout that weekend, the Bank of England hosted meetings in London to try to form a consortium to bail out Barings. The attempt by the Bank of England to organize a bailout for Barings failed because no one would assume the contingent risk of additional, but as yet undiscovered losses. Bank of London made a huge effort to organize a bailout for Barings bank. The bailout failed because Barings bank reached the position where losses amounted more than double the capitalization of the bank;, estimated losses approached $1.1 billion. Further losses were inevitable and thus there was no one ready to assume the contingent risk of additional but yet undiscovered losses. The bank was trapped in such a situation that the amount of future losses was unknown and unrevealed due to the unauthorized dealing by Nick Leeson. Suggest regulatory and management reforms that might prevent a future debacle of the type that bankrupted Barings. There have been numerous cases of collapses and overwhelming losses to companies in the corporate and banking sector and this called for some serious reformation, with particular attention to derivatives. The entire sector did not sit up and take notice until the Baring Brothers bankruptcy. How could an entity steeped with trust and history fall apart with no signs? Following the bankruptcy, reports were created by the Bank of England, SIMEX, and the Group of Thirty to suggest ways in which regulators and legislators could increase monitoring of financial activities. After the collapse of Barings Bank, an article was published with the name of Global Institutions, National Supervision and Systemic Risk, and this article underlines the reforms and changes in the financial sector that have already been implemented. The reforms that have already been implemented included: the expanded usage of netting and collateral; enhancements in methods to measure risk; greater off-balance-sheet risk disclosure; extensive increases in major financial institutions equity capital, financial sector consolidation; and encouragement of growth of securitization. The Bank of Englands report detailed how the losses occurred, the reason the losses were unnoticed in and out of Barings, and the lessons learnt from the bankruptcy. The following are the five lessons the Bank of England identified (Ambit ERisk, 2010): Management teams have a duty to understand fully the business that they manage; Responsibility for each business activity has to be clearly established and communicated; Clear segregation of duties is fundamental to any effective control system; Relevant internal controls, including independent risk management, have to be established for all business activities; Top management and the Audit Committee have to ensure that significant weaknesses, identified to them by internal audit or otherwise, are resolved quickly. The list that Bank of England came up with seemed simple, but the truth was one (or usually several) points listed were often the reason why corporations lost large amounts of money in the derivatives market. Other ways in which to prevent future debacles like the Barings collapse would be an increase in supervision of employees. Leeson never had a trading license prior to his arrival to Singapore and there was scarce monitoring of his activities since no one person was directly responsible for supervising his trading activities (Burnett, 2006). Also, a clear reporting line should be enforced because Leesons fraud could have been facilitated by confusion in having two reporting lines: one to London for proprietary trading and the other to Tokyo for customer trading. Top management should also be aware of the business that they are dealing with. In the case of Barings Bank, Leeson was reporting huge profits to the company but top management should have known that arbitraging is a relatively low risk and low profit business (Collier Agyei-Ampomah, 2006), so how on earth could Leeson have been reporting such massive profits? Top management could have identified these flaws immediately if they had known and had they done their job properly (Narayanaswamy, 2008). It is thus very important for top management to have sufficient knowledge of the field (or be involved in) to understand the complexities of business and its fundamental concepts. Based in Washington DC, the Group of Thirty began to be particularly apprehensive of the risks that derivatives posed. The Group has issued numerous periodicals to address these problems, mainly publications like International Insolvencies in the Financial Sector, Discussion Draft, which outlined fourteen ideas to reduce risk in the financial sector, particularly with derivatives. Another publication titled International Insolvencies in the Financial Sector, Summary of Comments from Respondent Countries on Discussion Draft, which showed member countries responses and opinions regarding the proposed changes to financial institutions. It was noted that the support for these changes were generally strong among all the countries that responded, which showed how Barings failure rocked the entire worlds confidences in the financial sector.

Friday, October 25, 2019

powmac Macbeth: His Downfall Was Due to His Ambition for Power :: Macbeth essays

Macbeth: His Downfall Was Due to His Ambition for Power In the Shakespearean novel Macbeth, the protagonist Macbeth is caught in a down spiral induced by his ambition which in the end, was the cause of his tragic end. Macbeth, once a great hero falls victim of his ambition for power. Although the protagonist initially tries to resist his human urge, he in the end committed crime his country, his friends, and sadly himself. Macbeth's first great crime was the crime against his country. In the beginning, Macbeth was described by his fellow noblemen as a great, loyal soldier, giving all he has for his country. Soon, it becomes evident when the witches foretells Macbeth future: "All hail, Macbeth! That shalt be king hereafter" (I. iii. 53) that Macbeth will be destined for greatness but not in the way he thinks. After receiving the three prophecies, Macbeth is intrigue by the idea the he will be king hereafter. He soon shows his intention to carry out the prophecies in his aside: "The prince of Cumberland! that is a step on which I must fall down, or else o'er-leap, for in my way it lies" (I. iv. 55-57). With the help of his wife, Lady Macbeth, Macbeth was able to kill the Duncan, the king of Scotland, a man whom trusted and loved Macbeth. With Duncan dead and the two princes fleeing, Macbeth was crowned king of Scotland. In the end, Macbeth had fulfilled his prophecies but in doing, he had committed treason against his country. Macbeth's second great crime was committed against his friends, the people around him whom use to admire him. After he had been crowned king, Macbeth believed his greatest obstacle had been overcame but that assumption was far the truth. By committing the first great crime, Macbeth had unconsciously paved the way for his downfall. Perhaps the turning point of the novel in which Macbeth kills Banquo; his loyal friend, that Macbeth's character begins to deteriorate. In one of his aside: "The very firstling of my heart shall be the firstling of my hand" (IV. i. 161-162) Macbeth's mental deterioration becomes visible. This aside is crucial because it foreshadows the future events to come. Macbeth now seems to have not a shred of decency or guilt left in him. Because of his irrational thinking, Macbeth commits probably the worst crime he had every committed. Macbeth had his Macduff's family slaughtered. This crime was so horrendous because unlike Macbeth's prior murders, this one had no other purpose but to quench Macbeth hatred of his rival Macduff. It soon became clear that

Thursday, October 24, 2019

Impact of divorce and remarriage on intergenerational relationships Essay

Any stressful event always constitutes negative effect on an individual that experienced crisis like divorce; the experience was traumatic especially with children. Memories of a painful divorce can offer ambivalence in the child which rankles into emotional problems in adulthood. â€Å"Children of divorced parents often feel cheated of the happy intact homes in which they imagine how other children with intact parents grow up. † And this kind of feelings can be prolonged. Divorce is much more complex than it appears on the surface, ending a marriage relationship does not end in four corners of the court room. It is a series of events and negative behavior on the part of their children and also on the couples. The emotional stress that takes a period of time heal, the affection of love was alter with anger, frustration, hurt resentment and hatred. Divorced parents and children suffer from their own and others, perception that their family assemblage is deviant and inferior. Divorce and remarriage reshapes relations in the child’s immediate family. But the data from different studies revealed that marital disruption restructures the boundaries of the extended family as well. Divorce, particularly when it attenuates the link between the outside parent and child, reduces the child’s access to one line of the family. Or from the perspective of grandparents, it can weaken intergenerational bonds between the families of the non-custodial parent of the child. This finding must be qualified in certain respects. In a substantial minority of cases, the grandparents continue to see the child on a fairly regular basis. If the non-custodial parent maintains regular contact with the child, then the link to the grandparents is often preserved. Even when contact slackens between the outside parents and child, the grandparents typically continue to see the child if they live close by and maintain reasonably amicable relations with the custodial parents are committed to preserving these intergenerational ties; some even continue to see the child if they live close be and maintain reasonably amicable relations with the custodial parent. Most custodial parents are committed to preserving these intergenerational ties; some even continue to regard their former in-laws as their relatives because they are the child’s kin. Despite these commitments, relation between the non-custodial grandparents and their grandchildren are rarely as active as they might have been had the divorce not occurred. Their children who personally witness all this stressful events will definitely developed problem even how supple they may be. Usually the end result of these experiences has resulted to another social problem such as juvenile delinquencies, in the research most this young offenders is product of broken family. For they have experience fears of betrayal, abandonment, loss and rejection. They also developed less capability to developed and maintain supportive relationship since they have fear of experiencing divorce in their future families. So what can we do if this matter is inevitable, if your kids are old enough to understand your situation talk to them and explain everything, resolve divorce-related anxiety and confusion. Let them express their feeling on this matters, always be there for them. Let them know they are loved and they will never be neglected even their parents are now separated. Though divorce and re-marriage are socially acceptable and commonplace in American society, but remarriage is an incomplete institution. The rights and obligations of parents and stepchildren in reconstituted families are open to negotiation and interpretation. The same holds for relationships between step-grandparents and their step-children. There are no social norms of inheritance for step-grandchildren or for grandchildren who have been estranged through divorce and custody battles. Many say the older Americans must now confront stepgrandparenting issues without clear cut norms or role-models. The result is that their estate planning is often tentative and confused not a situation which lends itself to easy communication with heirs of beneficiaries. During the separation and divorce process and continuing for at least a year after divorce, single mothers are often preoccupied with their own depression, anger or emotional needs and are unable to respond sensitively to their children. We hypothesize that such dysfunctions in maternal adjustment result in a lowered tolerance of the child’s behavior, which directly impacts maternal perceptions are a product of both the child’s behavior and the parent’s tolerance level. It appears plausible that depression influences individual differences between parents in their tolerance for a range of child behaviors. Clinical symptoms that covary with depression, such as distractibility and insomnia, may increase the probability that single mother will selectively attend to relatively low frequency inappropriate behavior, creating impressions of the children’s adjustment that are not warranted by objective counts of behavior. Alternately, parental depression and distress may increase attention to relatively high frequency non-complaint behaviors that were not interpreted as bothersome prior to the onset of personal distress. On a behavior level, changes in perceptions may result in the disproportionate use of ineffective child-management strategies and authoritarian control at a time when parents seek to limit interactions with their children. By contrast, divorce frequently intensifies the child’s bonds with the custodial parent’s family. Often, the parent turns to relatives for help at the time of divorce. Divorce is a smidgen of an emotional roller coater ride, it consist of variation of mixed emotions. One minute you are relieved that your traumatic quarrel has finally ended and the next minute you’re feeling panic-stricken about how you are going to survive financially. Yes as mention above it is something negative for it has a great impact to both parents and their children. The above mentioned effects is their children ways of fighting against the sadness of the loss, against the anxiety of helplessness, as warding off threatening aspects of the self and as defiance against the abandonment. Divorce is also a change in the development of a family. In reality there are relationships that suffer in domestic violence, for in most of these cases, the children would almost certainly have greatly affected so if they file for divorce their children will also have benefited from the parents staying together,† These are the cases for which it makes sense to talk about negative consequences of divorce. For persons whose parents had high conflict marriages, it makes sense to talk about negative consequences of failed parental marriages, but the divorces themselves may typically lessen those consequences. This type is called good divorce, the agreeable divorce that avoids pitfalls such as involving children in parental disagreement. It has been reflected to avoid or significantly lessen the unhelpful consequences on children, supporting the notion that divorce itself is less imperative than the way parents handle it. Though, this is not relatively proper in terms of the effects on children for it still have impact on their personalities, it is a better option than continuously suffer on this kind of situation. Managing a relationship is one of the hardest tasks we encounter in our lives; each person has its own characteristics, identity and views in life. Combining two unique personalities sometimes may result to clash; especially when the issues involve touches one’s values or principles. So when people involve feels abuse or being hurt the argument is whether you should incline to divorce or stick to the values on keeping one family and resolving its differences. Accepting one’s view or personality is the key sign on how you should think and behave, in the process of psychotherapy being you need to take every thing slowly. For many people who ask for opinion in such matter doesn’t want to take what is most suitable for the situation they only want to hear what they prefer to hear. Or sometimes they already knew what to do but they just want permission for them to pursue their plans. Maturity is one of the bases of a successful marriage, as an adult you should know better what will benefit y our family, why continue acts that you know bothers your partner, both of you must have communication for you to settle issues that matters in your relationship. With that conversation, you should be able to explain why you have been doing such act, you should be able to scrutinize the root of this behavior, both of you must recognize if such act can be change for the better or just accept it as it was for you both think that it has no solution. If in case that you agree that it has to be eliminated, partners must support each other in taking this task. While if there are no choice would you go for changing of one’ partner to the interest of your spouse no matter what is your decision it really depends on you since you are the only one involve her. I believe no trouble in this world that can’t be resolved in a diplomatic communication. The impact of divorce varies across the dimensions of the relationship and generally differs for sons and daughters. However parents own earlier lack of custody for their now adult children matters importantly: Compared to parents with continuous childhood custody, non-custodial parents report less closeness to their adult children. This finding suggests that a pathway should be added to the model, a direct connection between parental divorce and subsequent intergenerational ties. The norms governing remarried parents and what they owe to children from their previous marriages are even more ambiguous. The most revealing data on how little reciprocity there is between remarried parents and their children from prior marriages. The attitudes of divorced parents and those of step grandparents are ambivalent at best. This is why divorce and remarriage may well be creating vast numbers of heirs and spares. When in comes to changing one’s self, I personally think that there is nothing wrong with it as long it wont hurt your partner, if this is for the betterment of your partner then why not. It doest mean that when you do the same interest of your partner you will follow him on what he’s been doing for example in the case of this study when the wife complain of his husband attitude on reading while having dinner and the adviser told her to do the same. This is possible but such act needs proper places like I have said communicate then tell your husband to act adequately so that you two won’t have any trouble. The focal relationship is between offspring divorce and subsequent intergenerational family ties. From this perspective, having been a non-custodial parent during the childhood of one’s now adult children occupies the role of antecedent variable. Parental divorce to adult children’s divorce, they do not explicitly report effects of parental divorce on intergenerational family ties, the probable presence of this connection is revealed by bringing together results from these two studies. Divorce affects contact with parents among daughters but not among sons. Specifically, divorced daughter with custody of children visit and talk to parents on the telephone more often than married daughter; remarried daughters talk to parents on the telephone slightly less often than married daughters. Divorce and remarriage are weakening the intergenerational cement in many families, but other social and demographic changes have the opposite effect as they strengthen intergenerational linkages and make families more cohesive. Perhaps the single most important change is the increased life expectancy of the U. S. population. The impact has been especially pronounced in middle-income and upper-income families, the very families which were most likely to be evasive about inheritance. There will be more communication about inheritance in such families because the graying of America has produced new reciprocities and obligations between aging parents and their adult children. Marriage, divorce and remarriage are part of reorganization process that entails a series of major changes in the family. The cleavages created in the nuclear family during this dynamic period have ramifications that affect the kinship system and ultimately the status of the older generation. It is also likely that divorced individual receive fewer supports from family and friends than do the widowed. Intergenerational patterns are disturbed, they are likely than married their counterpart to be available to their children and grandchildren, some of whom are also likely to be divorced. It is not possible to quantify the impact of such intergenerational effects on the prospects for divorce rates. The dissolution of marriage is unlikely to be the realization of some lifetime plan, but rather a consequence of disappointed expectations. The high rates of dissolution in the first few years of marriage support this view. In a relationship one’s sovereignty in the family is respected by both partners, it was never like before that man is the only have the autonomy, yes we do have changes now but still some values are still intact and must be observed. But also we must be aware that these changes are one of the reasons why we have numerous divorces in the country, if only the people will accept and understand each other these things won’t happen. Sometimes also we can find oneself by other person, we discover some of our capabilities in dealing with other person. There is a cliche in a relationship that one person is complete when they find they partner in life, so it only means that in some ways husband and wives are connected with each other. But it is different when the marriage is arrange and if things wont go well, couple in this situation often resolve to divorce, so to prevent this from happening even if the marriage is fix, the couple must be given an due time to know each other better and let them fall in love the natural way, with this solution factors such adultery, abuse and other marital problem can be prevented. Another factor, which is idyllic to our culture, is mutuality. We don’t accept notion that compromise to the abuse of women, equality is vital so that selfish partners can be eradicate. Though some wives are defenseless and they require rescue from other person this is under special case that another issue will tackle, but it will surely end up forcing self-assertion to filing a divorce. However even we acknowledge the disgust in divorce, in reality we have a thousand of cases allover the nation, and because of this it represent our values with regards with our modern marriages. Thorough studies of one self-entrusting our principles with all the ambiguity and we are able to put up with the system. Being in love or have been or might think you will be in time is what matters most for love is continuous passion and understanding, sweeping off your feet. Value the investment of emotion, the time you spent together and those creative efforts you both have put into your relationship. Intimacy must always be intact along with your values that would help in developing your relationship for the better and controlling all the problems that you may encounter. Remember that God bonds your relationship so you must value it. Reference: Mclanahan, S. Bumpass, L. (1988). Intergenerational Consequences of Family Disruption.. The American Journal of Sociology. Vol. 94, No. 1 pp. 130-152 Amato, P. R. (1996). Explaining the Intergenerational Transmission of Divorce. Journal of Marriage and the Family, Vol. 58, No. 3. pp. 628-640 Furstenberg, F. F. Jr. , Hoffman, S. D. and Shrestha, L. (1995). Demography, Vol. 32 No. 3. Family and Household Demography. pp. 319-333 Booth, A. Brinkerhoff, D. B. and White, L. K. (1984). The Impact of Parental Divorce of Courtship. Journal of Marriage and the Family. Vol. , 46 No. 1 pp. 85-94 Lamanna, M. A. and Reidmann, A. (2005). Marriages & Families: Making Choices in a Diverse Society. Belmont, CA. Thomson Wadsworth. p. 510 Adams, B. N. and Trost, J. (2005). Handbook of World Families. Sage Publications inc. p. 190 Segrin, C. and Flora, J. (2005). Family Communication. New York, NY. Routledge. p. 181.

Wednesday, October 23, 2019

Intermediate certificate in Human Resource Management Essay

Is the criticism of HR in the article justified? Yes and no! The quote in the article from Dona Roche-Tarry is fairly damning. She states the HR team should be equally responsible as they work alongside the CEO and MDs to recommend strategies for pay and bonuses. Whilst HR may work alongside the senior decision makers, they can only make recommendations. The ultimate decision and power lies with the CEO. However, another perspective could be that HR need to be influencers, and should be more efficient at managing upwards. What are the main accusations being laid at the door of HR in this scenario in terms of its competence? Not being responsive Lack of knowledge Being unethical What are the implications for HR here in relation to professional ethics, integrity and confidentiality? The main implication is being seen to be unethical to stakeholders. This could result in HR being seen as not communicating and could have a negative impact on how people perceive HR to be importance wise. Integrity is also damaged by not being seen to have provided a voice in relation to political equality. How might HR been able to influence the situation more? By managing relationships better across hierarchies, and also by forward planning, being market savvy, and risk management. Predicting the issues  before they arose and either finding ways to avoid them or developing damage limitation scenarios and plans. What other key behaviours from the CIPD’s HR professional map do you think are critical here for HR to display? Skilled influencer Courage to challenge Personally credible Collaborative What learning can HR take away from this experience/situation? The main learning is to be more responsive, and take more of an active role in discussions regarding important issues such as renumeration Being seen to consult stakeholders and provide senior stakeholders with a more accurate company and market view. Improved communication across all levels needs to be implemented.

Tuesday, October 22, 2019

Professionalism

Professionalism Introduction Thomas Kuhn’s edition of the Structure of Scientific Revolution that was written in 1962 made him to be regarded as one of the great academician of science. He wrote on the science history and came up with important notions concerning philosophy.Advertising We will write a custom term paper sample on Professionalism specifically for you for only $16.05 $11/page Learn More The book ‘The Structure of Scientific Revolution’ made him famous and its one of the academic books that is cited mostly today. Kuhn made significant contributions that helped to create a different approach as far as the philosophy of science is concerned. He came up with a completely different view about life and the scientific changes that occurs during ones lifetime. He argued that science has really enjoyed stable growth periods that are characterized by revolutions, which are reversionary. The science visionaries that preceded Kuhn did not have any diff erent views but they only made some advancement to what Kuhn had already initiated. Kuhn held the view that science was basically altered profoundly by a new law that brought about significant changes in the field of science. Just like in politics, science also involves social institutions and thus Kuhn argues that no one scientist can work alone and that science are usually conducted by a group of scientists who have a similar research agenda. Kuhn also presented the idea that science usually doesn’t evolve towards truth gradually but instead there arises some periodic revolutions known as paradigm shifts i.e. the journey towards scientific revolution is marathon one but not an instant one (Kuhn, 1962). This paper explores the meaning of the period of pre-science and normal science according to Kuhn. The paper also distinguishes the two periods by the use of the period of mercantilism as well as the century of classical economics. Finally the paper examines on how the distin ctions by the two periods agrees with the Kuhn’s views i.e. to see if there is a correlation between the Kuhn’s distinction of both the pre science and normal science and the classical economists’ mercantilism and the century of classical economics . Definitions of pre science and normal science During his analysis on the science history, Kuhn identified that there are normally three phases that are common in the development of science namely; the pre-science, normal science and the emergence of problems. Kuhn describes the first phase i.e. the pre-science, as a period which was characterized by the absence of consensus regarding the manner in which the theories were developed. Some theorists thus criticize this phase as having no clear explanation about the concepts and development of science while others claims that the theories are too comprehensive as they lack consensus and explanation. Kuhn was noted that the theories in this phase were incomplete and inco mpatible.Advertising Looking for term paper on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More He defined pre-science period as an early development period of field research during which the field is delimiting its scope and subject matter i.e. a period during which the field is establishing its roots. During this period, no single theoretical position or paradigm is sufficiently accepted so as to justify a research effort that is well concerted and this renders the research activity to proceed in a piecemeal manner. It is also during this period that a range of diverse research topics are researched and the research topics linked in tenuous manners because subject matter itself doesn’t fit well with the defined pre- exiting fields due to the existence of common theoretic themes which are unifying. The noble trends of this period includes the emergence of the experimental science, as well as the shrinkage of relative distance as a result of the major improvements in communication and transportation and rapid innovation, authoritarian of nations and civic politics (Arbeitskreis, 1961) The pre -science period is replaced by normal science. Kuhn termed this period ‘normal science’ because the study field is deemed to be mature to hold a consensus view that is in accordance with the theories and methods that are used in understanding the subject. Normal science is deemed to occur once the scientists agree sufficiently on the fundamentals that allow evaluation of the contested claims through sharing of the standards. Normal science emerges after one of the theories in pre-science wins. A scientist who is working within the normal period phase has theories in which Kuhn equates to the paradigm based kind of research i.e. the research that is based firmly upon the precedent of scientific achievements. Normal research is usually characterized by the emergence of only one paradi gm with sufficient power capable of attracting others from the various competing scientific fields. Normal science activities are distinct and separate from the activities that occur during the paradigm crisis and the prescience. Kuhn held the view that mature science is as a result of the revolutions that occurs during the normal periods. In normal periods, scientists strive to solve problems arising from the need to view the world as one paradigm. Normal science development is a crucial step as far as the advancement of a given field is concerned. Kuhn (1962) argued that the emergence of parallel professionalism like specialist journalists is signs of the existence of normal science. Thomas Kuhn demonstrates that intellectual commitments are usually held in a tenaciously manner and that they can rarely be dislodged either by logic or evidence which is contrary. This is because the ideologies or commitments are suited to come up with scientific descriptions concerning the manner in which the work is performed and also constituting normative positions entailing the manner in which the entire globe should work.Advertising We will write a custom term paper sample on Professionalism specifically for you for only $16.05 $11/page Learn More Mercantilism and the century of classical economics Period The economic theory of mercantilism talks about a nation’s prosperity in terms of production capacity and other related parameters. It holds a nation’s prosperity .It was the overriding theory in Europe during the early period i.e. from 15th to 18th century. During this period, the workers carried on production and also controlled the production means. Merchants were the capitalists and the capital mainly consisted of inventories and money. This period reflected the transition of economic conditions based on the improvement in the production capacity of the workers. Adam Smith who was an economist came up with the Mercantilism phil osophy through the publication of book that was referred to as the Wealth of Nations (Smith, 1976). Like the science structure by Kuhn, Mercantilism philosophy was characterized by transitions. The earliest period of Mercantilism usually resulted at a time during which the entire Europe region was facing shortage of silver and gold. The period was referred to as bullionsim period and the silver and gold were being termed as bullions and they were valued mainly by weights because there were no paper currencies then. European nations did not have money needed to service the trade volume, which was expanding very rapidly. Bullion policies were thus devised and were aimed at attracting a smooth flow of silver and gold to a given country and also to prohibit their export by keeping them. These restrictions however lasted until seventeenth century. Spain was the only country that applied the bullionist restrictions for a long period as compared to other European Nations. This was due to t he fact that most gold originating from America flowed to Spain directly. This period of mercantilism however is similar to the prescience period as illustrated by Kuhn (Stiles Akaha, 1991). After this period, the desire by Mercantile to maximize silver and gold within a given country facilitated the major attempts by government to design a balance of trade that is favorable. This saw the rise in export of different goods as well as insuring and shipping of those goods. Other measures that were taken in order to encourage trade were monopoly patents issuance e.t.c. These advancements gave some individuals exclusive rights to practice all kind of trades in a certain area. The main reason behind the monopoly rights was to encourage the spirit of inventions. After sometime, the monopoly rights later became severally abused and in turn contributed to a patronage and privileges complex systems. This is in contrary with the Kuhn’s scientific periods whereby the second period of me rcantile brought some form of inconveniences rather than advancements (Guzzini, 1998). Adam Smith could be considered as the father of classical economies because through his work â€Å"The wealth of Nation’s† in 1776 is regarded as its commencement. Classical economies as a term were coined by an economist by the name Karl Marx. It is a set of scientific theories whose proponents were economists if the 19th century who had major concerns in the scientific revolution and dynamism of economic growth.Advertising Looking for term paper on business economics? Let's see if we can help you! Get your first paper with 15% OFF Learn More The classical economists helped in producing magnificent dynamics at a time when there was emergence of capitalism from feudalism. Also, it was during this period that there were vast changes in the society as a result of industrial revolution. The changes caused the society to seek for an organized system where each person could attain monetary gains by devoting their skills and other resources in production. The classical economists and their immediate predecessors have shifted the economies from individualism to cater for the national border interests where everything is done in the interest of the nation as a whole. The wealth of nations by Adam Smith and the subsequent policies that were devised later enhanced economic growth among nations and it was considered as major developments as far as classical economies are concerned (Ekelund Hebert, 2007). While reacting against the mercantilism theory, classical economics stressed on economic free ideas that were stress free for ins tance free competition and leissez-faire system. Many principles of this theory originated from Adam Smith’s Wealth of Nations through which nation’s wealth was considered to be the greatest as citizens continued to pursue their individual interests. Classical economics as a theory assumes the principle of labor and full employment. The lapses that occur from full employment are considered as only abnormal. Their explanation however does not form a part of classical economics subject matter (Kurtz et al, 2007 pg.65). Just like Kuhn’s scientific theories, the mercantilism theory and classical economies theory are similar in that the theories have been accepted generally by the economists and have therefore been revised period after period. Although the underlying principles have over the years been elaborated and refined by different writers, they usually forms the core of any arguments and cannot in one way or another be phased out. For instance, the classical p rinciples have been widely accepted world wide thus rendering them to be labeled classical (Salmon, 1999). Thomas Kuhn in his structure of Scientific Revolutions argues that natural sciences history has been faced with periodic crises especially when paradigm is rejected, challenged and displaced by the emergence of new paradigm. The process thus is characterized with both sociological and well epistemological aspects which are defined by the cognitive and regulative nature of the paradigm period. However, besides Keynesian revolution, no change in paradigm phases has been experienced as compared to those of natural sciences. This is because of the economic paradigm nature, which is not exposed to falsification, and also less precise. Crucial experiments and critical anomalies do not occur in economics as opposed to natural sciences. The paradigm change process may therefore serve well as an important type for clarifying the interrelationships that exists between the conceptual, ter minological, professional and personal elements which are involved in advancement of economic ideas and opinions like those episodes that results from classical economics emergence (Guzzini, 1998). Compared to economic theory, the scientific theory lacks progress because scientific theories are usually deemed to be great than the theories that are advanced by the predecessors as they are assumed to represent the true picture of nature. Conclusion Thomas Kuhn wrote Structure of Scientific Revolution in 1962. This made him a renowned great academician of science. In his writings, he made important notions about philosophy. This made him to be a famous academician. In his work, The Structure of Scientific Revolutions (1962), Kuhn identified periods of prehistory and century of pre science. Kuhn’s definition of pre science and century of normal science has great similarities to what is perceived from mercantilism and century of classical economics. Kuhn concluded by mentioning th at the field of science has been susceptible to prejudice fad, fashion and delusion in one way or another as a result of human endeavors. Reference List Arbeitskreis, G. (1961). Eastern Germany, Economy Holzner-Verlag. German: Wuerzburg Ekelund, R.B. Hebert, R. F. (2007). A history of economic theory and method, fifth edition. Canada: McGraw-Hill Publishing Guzzini, S. (1998). Realism in international relations and international political economy. US: Routledge. Kuhn, T. (1962). The structure of scientific revolutions. Chicago: University of Chicago press. Kurz, H et.al. (2007). Interpreting classical economic studies in long-period analysis. New York: Routledge. Salmon, M. (1999). Introduction to the Philosophy of Science. Indianapolis: Hackett Publishing.Pg.326. Smith, A. (1976). An inquiry into the nature and the causes of the Wealth of Nations. London: J.Dent, p.406. Stiles, K. Akaha, T. (1991). International political economy. New York: HarperCollins

Monday, October 21, 2019

Chicken Soup for the Soul Recipe for Success

Chicken Soup for the Soul Recipe for Success Whether you consider yourself a detail-oriented plotter, or a fly- developed strategies that work for you. Some writers can toss a few words together and write a great story with  little effort, but many of us need a formula. I have been published in 23 Chicken Soup for the Soul books. Each true story had universal appeal, a beginning, a  middle, and an end. My stories had unique angles whether via the message, writing style, or level of adventure. A Chicken Soup for the Soul story reads like youre speaking to a friend, but writing one is not as simple as   sitting in your best friends living room, sharing a life event. You must follow a basic recipe and then season  it your way. Imagine this scenario: Youve just discovered a recipe on line for the perfect chocolate cake. You would like to  win the blue ribbon in a baking contest. You gather necessary tools and ingredients, mix, bake, and create what  you hope will be a prize winner. You discover that half the entrants have also found the same recipe and baked  the same cake. Lined up on a countertop, they all resemble one another. Exactly what is it about your masterpiece  that makes it unique? Is it how you decorate it? The elegant presentation? What is your attention-grabber? What  leaves a delightful lingering taste for more? Chicken Soup for the Soul receives more than 1,000 submissions for each book title. Editors whittle selections  down to 200, then select 101 stories for publication. Selected submissions go through several editorial rounds  and are read   Ã‚     Choose the preparation technique that works best for you. Do you free-write and then edit, or edit as you go? Always, before hitting the SEND button, edit one last time.   Ã‚     Every cook adds her own touch, something special which distinguishes her product from the rest. Season carefully. Adding a shot of bourbon (expletives) or a dash of cayenne pepper (wisecracks) to a Chicken Soup story  wont necessarily spice it up. Use metaphor, analogy, and/or humor. Add sensory details to make your reader see  and feel. Inspire. Aim for the goose bumps.   Ã‚     Your title must have immediate appeal. Chocolate Cake or Chocolate Tingle, which recipe heading is more  creative and interesting?   Ã‚     Even if its good, your story may not be chosen. Sometimes editors receive too many of the same type of  story submissions, so not all of them can be chosen regardless how many of them are good. Rejection has little to  do with you and your product, and more to do with editorial needs. Unfortunately, Chicken Soup for the Soul does  not send rejection letters, but they do keep stories on file for consideration for other upcoming books.   Ã‚     The last morsel of your finished product should be as tasty as the first bite. Your story ending should  be as delectable as your opening. Leave the reader with a relatable memory, a powerful, inspirational, take-away  message in no more than 1,200 words. Many writers think there’s a certain magic to landing a Chicken Soup contract. Others liken selection to the  lottery. In reality, it’s common sense and a splash of whimsy.

Saturday, October 19, 2019

Amp Financial Company of Australia and New Zealand

This research study analyzes the business of the AMP Financial Company and also evaluates their financial data (Kelly et al., 2016). In the recent days, the AMP Financial Company leads the entire wealth management industry in Australia and New Zealand. The AMP Financial Company helps their customers by providing them financial advice, superannuation services for the business of their customers, retirement income, investments on individual products, life insurance, income protection, etc. The most important business significance of this AMP financial company is to provide services to their customers regarding all banking issues such as income protection, financial advice, selection procedure of banking products, investments in share, property, fixed interest and multi-asset funds, etc. For the AMP financial company their main motto is to understand the customer needs and provide them a good quality service which leads to their satisfaction (Buckless & Krawczyk, 2016). The AMP financia l company mainly helps the other business firms by researching the financial factors which help the firm to develop and improved in future. By accepting the advice and service of AMP financial company the business firms can able to get a better quality product at reasonable price and also can able to improve the standard of their firms. By analyzing the financial data the AMP financial company helps those business firms to maintain a good reputation and corporate image within the market and also helps them to gain a high level of profitability (Abhayawansa, & Guthrie, 2014). The AMP financial company also helps the government through paying revenue on profit and all types of service taxes. In this research study, the researchers want to expand the knowledge which is related to the study of the business procedure and about the financial information of the AMP Financial Company (Chan & Ryan, 2013). By the help of literature review, different literature sources and theories are reviewed for collecting the useful data or information about the research topic. By reviewing that literature the researchers can able to make a better quality research study through which a clear idea about the topic can be derived easily. The research study will undergo various terms that will help in detail explanation of the selected topic (Yang, 2012). In the recent days, there are several numbers of financial institutions which are operating throughout every country. The AMP Financial Company have to follow three numbers of general observations about the literature review before discussing the individual approaches towards the development of the financial system of the company. Firstly, it be comes more necessary to review the literature with extra caution. The recommendations within the study suggest that the countries should also need to introduce some improvement and development and also adopt innovative ideas within their organization (Berk et al. 2013). Secondly, the literature reflects that the donors and the governments have followed an approach which leads to the supply of finance and can able to emphasize the rate of increase of supply and also reduce the rate of loan cost in some specific sectors (Ghasemy et al. 2016). Thirdly the final observation is the donors and the governments have also shied away from the using of the private sectors for providing financial services to those specific sectors. The worth extant in the finance sector is described as per to the character of the financial transaction. In the recent times, the financial sectors are seriously observing contest where Latest Corporation are entering daily (Gattorna, 2016). The AMP Financial Compan y fundamentally describes surroundings where difficulties of the customers are interwoven beside with the services of the organization. Deliver worth to the organization also explain the service that delivers value to the customers (Keneley, 2016). As per Williamson, concerns of the organizations is associated with the customers’ requirements which help in better business activities and also brings a better level of sustainability to the organization. The resource-advantage theory describes the combination of the heterogeneous resources and the heterogeneous demand of the consumers. The capital of an organization can be financial, material, legal, human-based, organizational-based, informational and relational (Oh et al., 2013). As per recognition of the individuality present inside the association, main emphasis needs to be specified so that it can out hit competitor firm as well as draw clientele based on that source. At the time of adopting resource-advance theory, the org anization should try to use the competitive advantage of the company to become the leading financial company and enjoy the greater number of customers compared to their competitor organizations. According to the study of this research process, the researchers found some research question which clears the queries to arise at the time of studying that research paper. The main research questions for analyzing the problems and opportunities of the AMP Financial company are as follows – 1.  Ã‚  Ã‚  Ã‚  Ã‚   What is the fundamental problem? 3.  Ã‚  Ã‚  Ã‚  Ã‚   What is the relationship between the issue and the company? 4.  Ã‚  Ã‚  Ã‚  Ã‚   Why is it important to overcome the problem? 5.  Ã‚  Ã‚  Ã‚  Ã‚   How the company planned to tackle the problem? 6.  Ã‚  Ã‚  Ã‚  Ã‚   How the company planned to broadcast their results? 7.  Ã‚  Ã‚  Ã‚  Ã‚   Is the cash flow is a flow of cash to the shareholders or the company? 8.  Ã‚  Ã‚  Ã‚  Ã‚   Is there having any reduction of value or cost of the fixed assets of the company? 9.  Ã‚  Ã‚  Ã‚  Ã‚   Is the annual net income of the company can able to made that year or it only become a number? 10.   Is the book value become the best proxy to the share values? 11.   Is it become possible for the AMP financial company to have positive net income which never distributes the dividends in the postponement of payments? 12.   Is it better for the company to purchase shares and assets of other company?  Ã‚  Ã‚  Ã‚  Ã‚  Ã‚   13.   How is the optimal capital structure calculated? By the help of investigate method, the investigator tried to identify the most suitable research apparatus and techniques for studying the business procedure and the financial activities in the AMP Financial Company and can able to make a better quality research study. Research methodology is defined as the explanation of the process which is undertaken at the time of studying the research topic (Durocher et al., 2015). By the help of these research techniques, the researchers can able to analyze the collected financial data which help to understand the feedback of the respondents in a better way. The researchers generally analyze the financial statement of the company for revealing the importance of those items which is included in the Balance Sheet and Profit and Loss Account. According to Macmillan and Kennedy, Financial Performance is a type of scientific process by the help of which the researchers can able to evaluate the financial strength and profitability of any type of busi ness firms (Yap et al, 2014). Financial performance is actually a snapshot through which the researchers can able to determine the efficiency and ability of the company to survive within the market. By the help of the financial performance, the position of the company within the market can also be determined. Financial Performance is actually the blueprint of all those financial affairs which takes place in the organization (Bazley et al., 2013). Basically, Financial Performance is that medium through which any organization can able to evaluate the entire management performance within the organization. The key aim of the financial performance of a financial statement for the profit and loss account and Balance Sheet of a company is to diagnose the productivity, profitability, activity, liquidity and the financial condition of the business firm (Shaw, 2016). The main objective of the business is to earn satisfactory returns on that funds which are invested within the business. Each and every individual research study has their own frame of times which allows the researcher to arrange their research activities throughout the whole research process. According to Bernard, the Gantt chart is a type of research tool by the help of which the researchers can able to make a list of the task according to the time which is taken by the researcher at the time of the study the whole research process. classification of secondary information sources Preparing interview/survey, ethics form Conclusion as well as recommendations In the table of Gantt chart, the researcher points out the most important tasks which are required to emphasis at that time when the research is conducted. Gantt chart also helps the researchers to understand the status of that particular research study. The research process is a procedure through which the entire research work is taking place. The research process of any research study takes place through certain steps (Bunney & Therry, 2013). In this research study, the researchers want to analyze the financial activities of the AMP Financial Company. Therefore, for determining the financial activities of the AMP Financial Company the researcher follows the following steps – Step 1: At first, the researchers determine the need for the research of the financial performance of the company Step 2: After that they to identify and define the problems Step 3: Then the researchers should establish the objectives of the research study on that particular topic Step 4: After establishing the research objectives the researchers should prepare a research design Step 5: After that, the researchers should able to identify the sources from where the data are collected and also can able to determine the types of information which are collected from various sources. Step 6: Then the researchers determine the process or methods through which they can able to access the data. Step 7: In the next step, the researchers prepares the forms and make a design for collecting the data Step 8: Then the researchers determine the size of the sample and make a plan for the sample collection process regarding the factors which can affect t the sample. Step 9: After that, the researchers collect the data Step: 10 Then they analyze the data critically Step 11: At last, the researchers prepare the whole research paper properly and present it. The data collection process in a realistic sense will permit the investigator in experience different types of public and also help the researchers to improve their interaction skills. By the help of the study of research concepts, the researchers can able to gain knowledge about the process of data collection and also help the researchers to analyze the financial performance of the AMP Financial Company in future (Horngren et al., 2013). The researchers adopt or select the data gathering process depending on the character and types of data collected and according to the topic of the research study. The Data collection process adds value to the research quality by enlarging the platform of knowledge. By the help of data collection process, the researchers can able to collect two types of data. The two types of data are 1) primary data and 2) secondary data. The primary data are those data which are collected by the researchers directly from the environment at the time of conducting t he research process. By the help of main data, the researchers can able to gather the most relevant facts and information though it takes enough time, as it is a long procedure in contrast to secondary data. Whereas, the secondary data are guided on the basis that comprises the online and offline source of data. There are two types of data which are analyzed by the researchers at the time of conducting the research study. The two kinds of data are – 1) Qualitative data and 2) Quantitative data. The research study is more inclined towards the outcomes related to the value due to which the customers can able to obtain a better realization and satisfaction and also can able to serve a better quality of utility as well. After reviewing the financial statement of the AMP Financial Company, the researchers determine the five-year financial summary of the AMP Financial Company. In this research study, the researchers can able to analyze the business and financial performance of the AMP Financial Company. The most important business significance of this AMP financial company is to provide services to their customers regarding all banking issues such as income protection, financial advice, selection procedure of banking products, investments in share, etc. The resources of an organization can be financial, physical, legal, human-based, organizational-based, informational and relational. As per recognition of the individuality present inside the organization, main emphasis needs to be known so that it can out hit competitor firms as well as draw clientele based on that source. The AMP financial company mainly helps the other business firms by researching the financial factors which help the firm to develop and improved in future. By the help of this research study, everybody can able to get a clear idea about the financial performance of the AMP Financial Comp any.   Horngren, C.T., Sundem, G.L., Schatzberg, J.O. and Burgstahler, D., 2013.Introduction to management accounting. Pearson Higher Ed. Bunney, D. and Therry, L., 2013. Employability skills in the Master of Professional Accounting: One school’s journey.  eCULTURE,  3(1), p.3. Shaw, T.M., 2016. The Question of Financial Career Paths: Which Graduate Program and/or Professional Certification Leads to the Greatest Income and Level of Satisfaction Based on a Survey of Professionals working within the Accounting/Finance Fields?. Bazley, M., Hancock, P., Fisher, C., Lovell, A., Berk, J., DeMarzo, P., Berk, J. and DeMarzo, P., 2013.  Financial Accounting: An Integrated. Thomson Pty Ltd, South Melbourne. Yap, C., Ryan, S. and Yong, J., 2014. Challenges facing professional accounting education in a commercialised education sector.  Accounting Education,  23(6), pp.562-581. Yang, Q., 2012.  An investigation of the factors that influence Chinese students to do a Master of Professional Accounting (MPA) program in New Zealand  (Doctoral dissertation, Auckland University of Technology). Buckless, F. and Krawczyk, K., 2016. The relation of student engagement and other admission metrics to Master of Accounting student performance.Accounting Education, pp.1-15. Chan, H.T. and Ryan, S., 2013. Challenging stereotypes: International accounting students in Australia.  Journal of Modern Accounting and Auditing,  9(2), p.169. Durocher, S., Gendron, Y. and Picard, C.F., 2015. Waves of Global Standardization: Small Practitioners' Resilience and Intra-Professional Fragmentation within the Accounting Profession.  Auditing: A Journal of Practice & Theory,  35(1), pp.65-88. Oh, C.H., Park, J.H. and Ghauri, P.N., 2013. Doing right, investing right: Socially responsible investing and shareholder activism in the financial sector.  Business Horizons,  56(6), pp.703-714. Abhayawansa, S. and Guthrie, J., 2014. Importance of intellectual capital information: a study of Australian analyst reports.  Australian Accounting Review,  24(1), pp.66-83. Keneley, M.J., 2016. The breakdown of the workplace ‘family’and the rise of personnel management within an Australian financial institution 1950–1980.Business History, pp.1-18. Gattorna, J., 2016.  Dynamic supply chain alignment: a new business model for peak performance in enterprise supply chains across all geographies. CRC Press. Kelly, G., Delaney, D., Chai, G. and Mohamed, S., 2016. Optimising local council's return on investment from annual pavement rehabilitation budgets through targeting of the average pavement condition index.  Journal of Traffic and Transportation Engineering (English Edition),  3(5), pp.465-474. Berk, J., DeMarzo, P., Harford, J., Ford, G., Mollica, V. and Finch, N., 2013.Fundamentals of corporate finance. Pearson Higher Education AU. Ghasemy, M., Hussin, S. and Daud, M.A.K.M., 2016. Academic leadership capability framework: a comparison of its compatibility and applicability in Australia, New Zealand, and Malaysia.  Asia Pacific Education Review,  17(2), pp.217-233.

Friday, October 18, 2019

Cisco Case Study Example | Topics and Well Written Essays - 2000 words

Cisco - Case Study Example For one, the way critical information is gathered, stored, sorted and accessed gives top management crucial insights that aid greatly in their decision-making processes. Much of the guesswork is eliminated and in its place information that is based on the solid data being gathered greatly improves the accuracy of decisions made. This type of gathering information for making important business decisions is called as data mining. When tons of data sometimes do not make any sense to a casual observer, the insights provided by a good information system makes all the difference between profits and probable losses due to wrong decisions taken. Businesses are racing to acquire information systems because these provide quality insights based on solid scientific data. Sometimes, the cost benefit analysis may not justify such huge initial outlays but business analytics provide a winning margin in the competitive marketplace. Business analysts and consultants call this as the new science of winning (Davenport & Harris 3) based on quantitative data analysis and no longer on a managers own gut feel and hunches. For firms like Cisco where much of its assets are intangible (intellectual capital or knowledge-based assets), the more urgent is the need to have a good information system. Information technology companies need to both be flexible and nimble enough to translate and transform information into a long-term advantage. This paper tackles the issues and problems that faced Cisco during its evaluation of its information technology systems currently in use. In particular, the challenge of making sense out of Ciscos several and often conflicting enterprise-wide initiatives fell on Brad Boston, the CIO or chief information officer. The problem is one of prioritization based on several crucial constraints such as managing the time element and allocating scarce financial resources. Two major initiatives that presently are under consideration by top

Gender Discrimination in Five Star Hotels Essay

Gender Discrimination in Five Star Hotels - Essay Example The essay "Gender Discrimination in Five Star Hotels" talks about the gender discrimination in five-star hotels and its impact on their career. Hotels are a part of the hospitality industry which is one of the oldest industries in the world. A hotel provides a temporary stay for its customers.A hotel provides a carefree atmosphere for its customers. It is a very sociable industry; its employees have a very high exposure to the customers. Looking at its contribution to the economy we can say that it is one of the most fast growing and biggest industries of the world. Almost 10% of the gross national product is due to this hotel industry. In 2005, it gave revenue of almost  £27 billion. After 2000 there was an increase of almost 4.5% in the hotel sector. In 2004, it gave almost  £11.5 billion revenue. This huge increase shows that it is one of the fastest-growing industries. In 2002, there were almost 280 000 employees in almost 40 000 establishments. London is the hub of hotel est ablishments in the UK.In recent years we can notice that the hotel sector has been growing very fast. The main reasons for this are mergers and acquisitions. Sheraton Park Tower Hotel, Marriott London Park Lane, The London Hilton on Park Lane, Intercontinental etc are all five-star hotels in the UK. There are many big names in this sector of the hospitality industry, there is almost nothing being done in case of human resource management. Employment opportunities in the hospitality profession abound all over the world.

Business Ethics Essay Example | Topics and Well Written Essays - 500 words

Business Ethics - Essay Example In this social construct, the idea that a female gains power within the public sphere is a threat to the male gender, thus creating a hesitation that still exists in today’s world. According to Eagley and Carli, the problem of barriers to the top positions in both politics and in corporate environments is evident in the statistics that are available. They reveal that only 6% of the top positions in corporations on the Fortune 500 list belong to women with only 2% holding the position of CEO. Only 15% of the seats on the board of directors of these companies are held by women. The problem does not only exist in the United States, but can be found throughout the world as exampled by the European Union in which only 11% of the top executives and 4% of the CEO’s are women within the top 50 companies. Fortune’s Global 500 has a showing of only 1% of the top positions held by women (105). The problem is glaring obvious through the worldwide statistics, making this not only an American problem, but a global issue. The metaphors that tell the story of the female experience in the work force within the United States suggest the fight that has gone on throughout the generations. The fight begins with the domestic ideologies, the philosophies of the appropriate place for male and female genders within the world.

Thursday, October 17, 2019

Industrial Music Essay Example | Topics and Well Written Essays - 500 words - 1

Industrial Music - Essay Example Otherwise, their target audience would not be reached and knowledge, as well as existence of new compositions, musical scores, and songs would not even be able to reach the intended listeners. The uses of various media (television, radio, online sites) are traditional media for promotion and commercialization of popular music. Thus, appropriate funds and resources are invested to do this with the objective of generating profits in the end. Yes, one believes that a group, artist, or singers could be too commercial; and at the same time, not commercial enough. There are contemporary singers who could be considered overexposed as listeners tend to hear their songs in all media at almost all possible times. When hearing a particular song is perceived as way too much that audience perceives that their ears are already aching from hearing the same sounds again and again, then, this could be considered an evident proof of being too commercial. On the other hand, there could be very good musical compositions that are not effectively managed and promoted due to factors such as lack of funds, lack of competencies of the managers or promoters, wrong use of media to promote, and reaching only a limited audience. As such, these are examples of a group or singers whose songs and musical compositions are not commercial enough. If the focus is no longer on the music itself (maybe creating promotional products that promote the singer more than the songs), then somehow, there are possibilities of audience losing their interests and appeal; especially if the songs do not reach the quality expected from the music. It could initially be productive for the promoters for having served their commercial interests; but eventually, not being able to sustain a good quality of music would be detrimental to the singer, manager and promoters in the long run. Rock fans may have rebelled against the popularity

Analytical summary Essay Example | Topics and Well Written Essays - 750 words

Analytical summary - Essay Example Previously Indonesia had had Human Rights violations. Now, opinions of the common man represented by the parliament are taken into account, even if they are in opposition of the President’s views. The civil society has progressed into an active one. Individual actors, like scholars and intellectuals too work for democracy and prosperity. Apart from these actors, other major actors were identified who affect the democracy in Indonesia and affect the bilateral relationship between it and Australia; two non–state actors and one parliamentary actor were recognized as affecting the foreign policy of Indonesia for Australia. These policies help in strengthening the relationship between the countries. The author wrote of four perspectives that explain the bilateral relationship: Historical and Geographical Proximity Perspective: The geographical placing of both lands and their history gives strength to the relationship. Throughout history there has been integration of the people of both countries. The closeness of the countries ensures that a working relationship be maintained. One can’t simply fight with one’s neighbours. The repercussions would be felt by both. Political and Strategic Perspective: Indonesia is important for Australia. Any instability or such occurrences in Indonesia can have a ripple effect extending to Australia because of the strategic placing. Moreover, if they develop a relationship like that of Pakistan and India, their military and financial resources would be tied up in defence of an unseen threat of offense. Identity and Fear Perspective: There is a confusion and struggle of self identity which has caused a slowdown in the maturing of the bilateral relationship. Australia is neither Asian nor European so there exists a struggle amongst Australian to identify them. Moreover, fear of the ‘other’ exists in both. The author has presented an account of democracy’s role in Indonesia and the role that the governments

Wednesday, October 16, 2019

Business Ethics Essay Example | Topics and Well Written Essays - 500 words

Business Ethics - Essay Example In this social construct, the idea that a female gains power within the public sphere is a threat to the male gender, thus creating a hesitation that still exists in today’s world. According to Eagley and Carli, the problem of barriers to the top positions in both politics and in corporate environments is evident in the statistics that are available. They reveal that only 6% of the top positions in corporations on the Fortune 500 list belong to women with only 2% holding the position of CEO. Only 15% of the seats on the board of directors of these companies are held by women. The problem does not only exist in the United States, but can be found throughout the world as exampled by the European Union in which only 11% of the top executives and 4% of the CEO’s are women within the top 50 companies. Fortune’s Global 500 has a showing of only 1% of the top positions held by women (105). The problem is glaring obvious through the worldwide statistics, making this not only an American problem, but a global issue. The metaphors that tell the story of the female experience in the work force within the United States suggest the fight that has gone on throughout the generations. The fight begins with the domestic ideologies, the philosophies of the appropriate place for male and female genders within the world.

Analytical summary Essay Example | Topics and Well Written Essays - 750 words

Analytical summary - Essay Example Previously Indonesia had had Human Rights violations. Now, opinions of the common man represented by the parliament are taken into account, even if they are in opposition of the President’s views. The civil society has progressed into an active one. Individual actors, like scholars and intellectuals too work for democracy and prosperity. Apart from these actors, other major actors were identified who affect the democracy in Indonesia and affect the bilateral relationship between it and Australia; two non–state actors and one parliamentary actor were recognized as affecting the foreign policy of Indonesia for Australia. These policies help in strengthening the relationship between the countries. The author wrote of four perspectives that explain the bilateral relationship: Historical and Geographical Proximity Perspective: The geographical placing of both lands and their history gives strength to the relationship. Throughout history there has been integration of the people of both countries. The closeness of the countries ensures that a working relationship be maintained. One can’t simply fight with one’s neighbours. The repercussions would be felt by both. Political and Strategic Perspective: Indonesia is important for Australia. Any instability or such occurrences in Indonesia can have a ripple effect extending to Australia because of the strategic placing. Moreover, if they develop a relationship like that of Pakistan and India, their military and financial resources would be tied up in defence of an unseen threat of offense. Identity and Fear Perspective: There is a confusion and struggle of self identity which has caused a slowdown in the maturing of the bilateral relationship. Australia is neither Asian nor European so there exists a struggle amongst Australian to identify them. Moreover, fear of the ‘other’ exists in both. The author has presented an account of democracy’s role in Indonesia and the role that the governments

Tuesday, October 15, 2019

The audiences perceptions towards Macbeth through act one Essay Example for Free

The audiences perceptions towards Macbeth through act one Essay I am writing an essay on the audiences perceptions towards Macbeth through act one. This means what the audiences feelings and thoughts to Macbeth are. Macbeths characteristics are up and down through out the whole of the act, from bad to good and evil to noble. This makes the audience unsteady on their thoughts about Macbeth. This essay will be my perception on what the audiences thoughts of Macbeth are as he changes through act one. Right from the beginning, the witches show that they want to involve Macbeth in their evil plans. For instance in scene 1 line 8 they say, There to meet with Macbeth.. Unfortunately this shows Macbeth has been chosen as their victim. This starts the suspense up. The audience now wants to know who Macbeth is? But this would also make them feel sorry for him because the witches have now involved him in their plot. We hear about Macbeth again, when a Sergeant is talking to the king. In scene 2 lines 16-18 Captain says, For brave Macbeth-well deserves that name- Disdaining Fortune with his brandished steel Which smoked with bloody execution, Like Valours minion carved out his passage. So now we get the point that he is a noble and a brave warrior. The king replies to the sergeant in scene 2 line 24 by saying, O valiant cousin, worthy gentleman.. This means the king Duncan, recognises Macbeths bravery and values his loyalty. The king very well respects Macbeth, he must be important! At this point we now think he is a good man and do not want the witches to get involved with him. In return the Sergeant talks to the king in scene 2 lines 22-23, when he says, Till he unseamed him from the navel to the chaps And fixed his head upon battlements.. Macbeth shows that when he is determined to defeat someone, he is violent and ruthless. The audience are now thinking he is very extreme and he would do anything to get what he wants. The king finally finished the conversation in scene 2 lines 64-65 by saying, Go pronounce his present death And with his former title Macbeth. King Duncan is so pleased with Macbeths loyalty that he promotes Macbeth to the trusted position of thane of Cawdor. Macbeth is loyal and has the kings trust. The evil witches are back and they now start to brain wash Macbeth with ideas that never even entered his mind. In scene 3 lines 48 they say, All hail Macbeth, that shall be king hereafter. The witches plant the idea in Macbeths mind that he will be the king one day. Until this point he has shown complete loyalty to king Duncan. He is at an undecided stage right now keeping the audience guessing. Macbeth wants to hear more from them and starts being very inquisitive. In scene 3 line 48 He shouted out to the witches, Stay, you imperfect speakers. Tell me more.. Macbeth wants to hear more from the witches; this shows he is ambitious and likes the sound of being king. This shows how gullible and easily drawn into anything Macbeth is. Banquo a good friend of Macbeth warns him in scene 3 lines 121-123, but tis strange, And often times, to win us to our harm, The instruments of darkness tell us truths,. Banquo realises that the witches are evil and suspects that Macbeth might be taken in by them. He tries to warn Macbeth. Soon after that Macbeth starts to show signs of evilness, which is a bad thing. For instance in scene 4 lines 42-43 Macbeth says, If chance will have me king, why chance may crown me. With out my stir Macbeth speculates that if he destined to become king. Then maybe it will happen regardless. So he might do something to make him king quicker. The audience is getting more and more of a picture of Macbeth as he shows more and more signs of evilness. We start to think he wasnt as noble and as good as we heard about him from the beginning of the act. In scene 4 lines 48-50 he says, The Prince of Cumberland : that is a step On which I must fall down, or else oerleap, For in my way it lies. Macbeth realises that Malcolm (the kings son) is an obstacle to becoming king. He shows that he is prepared to be ruthless in dealing with Malcolm. Now we come to Lady Macbeth. We see she was mad because as soon as she heard the news of Macbeth becoming Thane Cawdor she starts to plot. As we heard in scene 5 lines 14-15, yet do I fear thy nature, It is too full othmilk of human kindness. Straight away she assumes Macbeth has to become king, which means the death of king Duncan would have to be soon. Lady Macbeth is afraid that her husband is too soft hearted to do what he has to do to become king. So she shows signs of Macbeth being a wimp and not going to jump at the opportunity. At this point we start to see through Macbeth and notice he has got a conscious, so maybe hes just all mouth. Hears what he said in scene 7 lines 15-16, Who should against his murderer shut the door, Not bear the knife myself. Macbeth shows guiltiness about the plan to kill Duncan. He feels he should be protecting Duncan instead of attacking him. We now see a different side to Macbeth, that he was never bad because of what he said in scene 7 lines 31-32, I am settled and bend up Each corporal agent to this terrible feat Macbeths conscience-stricken about the murder plan. He feels in Duncans debt because of the way Duncan has treated him recently. Changing the audiences view of him yet again to being a good person. Then his personality just takes a drop, he goes back to being evil and bad, this happens in scene 7 lines 80-81 when Macbeth says, I am settled and bend up Each corporal agent to this terrible feat Macbeth finally decides to go through with the ruthless plan. He is totally committed to the murder of Duncan. Now he has gone back to his evil raw self! Leaving the audience with no sympathy. He even shows dishonesty in scene 7 lines 82 where he says, False face must hide what the false heart doth know Macbeth is prepared to be dishonest and deceitful in order to carry his plans. The audiences final perception of Macbeth was he is totally evil and completely crazy! Conclusion Here is a table of the Audiences Perceptions of Macbeth, through out the whole of Act 1! As you can see in the graph, the audiences perceptions of Macbeth go up and down through the act. At the beginning of the act we thought Macbeth was a good noble man, but that soon changed. Then we thought good and bad of him because his Behaviour was up and down, from good to bad, noble to deceitful, he went through many different stages. To the end of act one, his true colours finally showed and we saw how evil and crazy for power he was and thats why he killed the king. Our final perceptions of Macbeth in act 1,was that his hunger for the reign was so powerful and obsessive. Which eventually turned him into an evil madman, that sums it up to show how, from having morals and scruples as well as sincerity, his greed for the throne changed him to become cunning, deceitful, and a heartless Macbeth. Leaving the audience with mixed feelings.

Monday, October 14, 2019

Neurofibromatosis Case Report

Neurofibromatosis Case Report Abstract Neurofibromatosis, though not discussed in depth, is not at all a clinical rarity. The condition has been reported in all races and does not exhibit specific clinical manifestations and features for occurrence. The hereditary nature has been recognized for long, though the depth of mutations is still a long way in short of understanding. It has got a chance occurrence of 50% mutation rate. It occurs with a frequency of 1 case in approximately 3000 births. Malignant transformation has been reported in a few cases, which underlines the importance of in depth analysis of this condition. Introduction Neurofibromatosis is one of the most common hereditary neurocutaneous disorders with an incidence of 1:3000. It is autosomal dominant and shows no race or sex predilection.1 30 to 50% are de-novo cases occurring due to spontaneous mutations.2The condition first documented in 1882 by the German pathologist Frederich Von Recklinghausen presents with protean clinical manifestations.3This case is reported due to the severe facial hemi hypertrophy associated with neurofibromatosis. Case Report A 12 year old female patient presented with swelling of left side of face since infancy. Swelling was first noted at one year of age after which it increased steadily and reached the present size. Speech was slurred. No family history of such a condition was observed. On extra oral examination severe hemi hypertrophy of the maxilla was noted with subsequent disfigurement of the face on account of deviation of the nose and mouth to the right (Fig 1). There was a soft painless mass on the left forehead measuring four centimeters in length and two centimeters in breadth. There was overgrowth of coarse, stiff hair on the mass. The skin showed patchy pigmentation. Left eye is pushed downwards and remained closed due to the pressure exerted by the mass (Fig 23). On palpation the mass was soft to firm with diffuse borders. No fixity to underlying tissue was noted. There was no associated regional lymphadenopathy. Cafà © au lait spots (CALS) of size one to two centimeters and blue black in color were distributed over the trunk and palms of hands (Fig 4). There was a large CALS of size 10 X 15 centimeters in the back of trunk which was irregular with diffuse borders (Fig 5). Intraoral examination showed a firm mass extending from right maxillary lateral incisor to left maxillary first premolar. The mass measured 3 X 2 centimeters in size and was firm and non – tender on palpation. Maxillary left central incisor was found embedded and the lateral incisor and canine were partially exposed. CALS were noted on the mass. Nodular masses were seen on the palate adjacent to right maxillary premolars, on the mass adjacent to right central incisor and on the left upper lip. There was hemi hypertrophy of the tongue and spacing of teeth on the left side resulting in malocclusion (Fig 6). CT scan shows the lesion extended well in to the brain- cerebrum, frontal sinus, and eye, nasal and maxillary sinus (Fig 7). Preliminary hematological investigations including serum calcium and alkaline phosphatase were carried out and values were found within normal limits. Incisional biopsy was performed from the anterior palate. Histopathological examination of H E stained sections showed cells with elongated, bent nuclei separated by abundant, fine and sinuous collagen fibers. There is presence of nerve bundles, mild vascularity and areas of hemorrhage. Overlying epithelium is orthokeratinized stratified squamous epithelium of normal thickness (Fig 89). Diagnosis of neurofibroma was made. Patient was referred to the department of oral surgery for further treatment. Discussion Present knowledge shows that neurofibromatosis consists of at least two diseases which show distinct clinical and genetic features, the peripheral form or neurofibromatosis 1 (NF1) and the central form or neurofibromatosis 2 (NF2). The more common one is the NF1. 4 This is autosomal dominant and 50% of cases are new mutations, 80% of which are of paternal origin. The NF1 gene, one of the largest in the human genome is a tumor suppressor gene located in the pericentromeric region of chromosome 17. It encodes the neurofibromin protein which consists of 2800 amino acids. Due to the large size of the gene and numerous mutations that may occur genetic testing is not a viable option in diagnosis. A protein truncation assay is used to detect stop mutations but this confirms the disease only in two thirds of cases and cannot predict the severity. 5,6 Diagnosis is confirmed if two or more of the diagnostic criteria are present. (Table 1) Hence clinical findings are imperative. Accurate correlations between the genotype and phenotype have not been possible because of the large size of the gene. Still it has been found that the severity of the condition increases with complete gene deletions with occurrence of large numbers of neurofibromas and a significantly higher lifetime risk for malignant peripheral nerve sheath tumors. Familial spinal neurofibromatosis corresponds with mutations at the 3’ end of the gene. Somatic mosaicism may account for the segmental forms of neurofibromatosis.5 The clinical manifestations are first seen in childhood as small macules resembling freckles which slowly increase in size and deepen in color. Microscopically melanin pigment is seen in macromelanosomes. The number of cafà © au lait spots indicates the severity of the disease. In mild forms with fewer spots the neurofibromas occur late in life and may also be restricted to one part of the body. Secondary symptoms may arise due to occurrence of neurofibromas. An abrupt increase in size may indicate malignancy or may be due to pregnancy or onset of puberty.7The central nervous system may be affected with neurofibromas example the optic nerve glioma.8 The skeleton may be affected due to primary defects and also pressure effect from the tumors. Cystic lesions are noted within the bones histologically resembling non-ossifying fibroma.9 Renovascular hypertension occurs due to vascular stenosis. The varied symptoms of neurofibroma include growth disorders, abnormal sexual development and lung abnormalities. Certain forms of neurofibroma shows atypical or incomplete features compared to the classic form. These variants are segmental neurofibroma, gastrointestinal neurofibroma, familial spinal neurofibroma and familial cafà © au lait spots.8 Neurofibroma is a disease with diverse characteristics. Early diagnosis aids in proper monitoring of patient. Genetic counseling is also required in familial cases. Frequent reviews are needed as there is possibility of development of malignant peripheral nerve sheath tumor (MPNST) in a subset of NF1. Proper histologic evaluation is essential as it is difficult to differentiate a neurofibroma with atypical histologic features from a low grade MPNST. Germ-line mutations in genes encoding RAS-ERK signaling pathway components cause a set of related, autosomal dominant developmental disorders, termed â€Å"RASopathies† , which include Noonan syndrome . Noonan syndrome with multiple lentigenes (NS-ML; formerly known as LEOPARD syndrome), cardio-facio-cutaneous syndrome (CFCS), Costello syndrome (CS), and neurofibromatosis type 1 (NF-1). RASopathy patients typically display short stature, facial dysmorphia, cardiac defects, developmental delay, and other variably penetrant features. 10 Conclusion Neurofibormatosis and concomitant symptoms are always associated with numerous manifestations. The condition including von Recklinghausen disease has to be understood in depth for proper diagnostic criteria and treatment protocols. Though, significant steps has been taken for analyzing the molecular pathway and genetic mutations involving the conditions, the finer details are still out of light as far as molecular origin and pathway is concerned. An extensive discussion and deliberation is needed in this regard so that debility and mortality rate